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[Hardware] 最新のN16599GC10学習関連題試験-試験の準備方法-素晴らしいN16599GC10関連資格試験対応

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【Hardware】 最新のN16599GC10学習関連題試験-試験の準備方法-素晴らしいN16599GC10関連資格試験対応

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CertJukenには、N16599GC10学習教材にお金を使った場合に快適な学習を保証する義務があります。 ホットラインはありません。 N16599GC10の合格率は98%以上です。 また、N16599GC10のOracle NetSuite Financial User試験問題に関する相当なサービスをお楽しみいただけます。 そのため、メールアドレスにメールを送信することをお勧めします。 他のユーザーのメール受信ボックスに送信する場合は、事前にアドレスを慎重に確認してください。 ウェブサイトのアフターサービスは、実践のテストに耐えることができます。 当社OracleのN16599GC10試験トレントを信頼すると、このような優れたサービスもお楽しみいただけます。
N16599GC10の調査問題には、良い仕事を見つけて迅速に昇進するのに役立つ多くの有用で役立つ知識が含まれています。弊社のN16599GC10テストpdfは上級専門家によって精巧に編集されており、時代の傾向に合わせて頻繁に更新されています。教材を購入する前に、まずウェブ上でN16599GC10試験実践教材の紹介をご覧ください。または、N16599GC10試験問題のデモを無料でダウンロードして、品質を確認することもできます。
試験の準備方法-実用的なN16599GC10学習関連題試験-有難いN16599GC10関連資格試験対応N16599GC10スタディガイドは、多くのメリットと機能を高めます。購入前にN16599GC10テスト問題をダウンロードして自由に試すことができます。当社製品を購入した後、すぐに当社製品を使用できます。選択できる3つのバージョンが用意されており、N16599GC10トレーニング資料を学習して試験を準備するのに20〜30時間しかかかりません。Oracle合格率とヒット率は両方とも高いです。 1年以内に24時間のオンラインカスタマーサービスと無料アップデートを提供しています。そして、N16599GC10試験問題を試してみると、N16599GC10トレーニング資料には多くの利点があることがわかります。
Oracle N16599GC10 認定試験の出題範囲:
トピック出題範囲
トピック 1
  • Banking and Payment Processing: This section of the exam measures skills of Treasury Analysts and covers managing default banking transactions in NetSuite. It involves setting up cash and bank accounts, processing payments, and reconciling monthly bank and credit card statements. The focus is on maintaining accuracy and compliance in financial reconciliation.
トピック 2
  • Expense Allocations: This section of the exam measures the skills of Cost Accountants and covers setting up and managing expense allocations in NetSuite. It includes distinguishing between fixed and dynamic allocation modes and applying them effectively to distribute costs across departments or subsidiaries.
トピック 3
  • Accounts Receivable: This section of the exam measures skills of Accounts Receivable Specialists and covers the end-to-end NetSuite accounts receivable process flow. It evaluates knowledge of customer record setup, invoice creation, customer payments, and deposits. The section also tests understanding of the general ledger impact of receivable transactions and best practices in managing customer-related financial operations.
トピック 4
  • Period and Year-End Close: This section of the exam measures the skills of Accounting Managers and covers best practices for closing accounting and tax periods in NetSuite. It includes managing multiple subsidiaries, handling separate fiscal calendars, and ensuring accurate and compliant financial closure processes.
トピック 5
  • Billing Schedules: This section of the exam measures skills of Billing Analysts and covers the configuration and use of billing schedules in NetSuite. It focuses on creating, managing, and applying billing schedules accurately to automate recurring invoicing and streamline the billing process.
トピック 6
  • Financial Reports and KPIs: This section of the exam measures the skills of Financial Reporting Analysts and covers building and interpreting financial reports using NetSuite Financial Report Builder Interface. It focuses on understanding how transactions impact reports and how to track financial performance through key performance indicators (KPIs).
トピック 7
  • Subsidiaries, Classifications, Chart of Accounts: This section of the exam measures skills of Financial Systems officers and covers understanding subsidiaries, their types, and their role in financial management within NetSuite. It includes knowledge of classifications such as departments, classes, and locations, and how they affect transactions and reporting. Candidates are also assessed on managing the chart of accounts, setting account types, and applying access restrictions appropriately.
トピック 8
  • Journal Entries: This section of the exam measures the skills of General Ledger Accountants and covers the creation and management of journal entries. It includes differentiating between elimination and intercompany journal entries and understanding their setup and use within NetSuite financial structure.
トピック 9
  • Budgeting: This section of the exam measures the skills of Financial Planning Analysts and focuses on creating and reporting budgets in NetSuite. It evaluates the ability to develop accurate financial forecasts and use built-in budgeting tools to support business planning and reporting.

Oracle NetSuite Financial User 認定 N16599GC10 試験問題 (Q21-Q26):質問 # 21
What are two differences between fixed and dynamic allocation schedules? (Choose two.)
  • A. Dynamic allocation requires zeroing out the source account.
  • B. Fixed allocation schedules must have predefined weighting that does not change
  • C. Fixed allocation requires zeroing out the source account.
  • D. Dynamic allocation schedules must use statistical accounts.
正解:B、D

質問 # 22
Which three statements are true about using Parent Accounts in NetSuite? (Choose Three)
  • A. Parent accounts are created by setting the "Parent of" field
  • B. Checking the Summary box on the account record prevents anyone from posting activity to the account
  • C. Child accounts are created by setting the "Subaccount of" field
  • D. Checking the Summary box allows the posting of reversing journal entries to this account.
  • E. Parent accounts can be posting or non-posting.
正解:B、E
解説:
Child accounts are created by setting the "Subaccount of" field

質問 # 23
How can an Expense Allocation Schedule be set up to dynamically recalculate weighting each time it is applied?
  • A. Use custom segments
  • B. Use a statistical account
  • C. Predefine the weighting when setting up the schedule
  • D. Click the Update Sample Weights button.
正解:C

質問 # 24
Which statement is true about NetSuite Accounts Payable transactions?
  • A. Purchase Orders must have a preceding Purchase Requisition.
  • B. Bill Purchase Orders page will allow you to generate bills from multiple vendors at once.
  • C. Vendor Bills must be created from a Purchase Order.
  • D. Paying an Unapproved Bill will cause both Bill and Payment to post to the general ledger.
正解:B

質問 # 25
What are two considerations for managing multiple fiscal calendars? Choose two
  • A. Periods are created separately for each fiscal calendar
  • B. A subsidiary can have multiple fiscal calendars without multi-Book
  • C. A fiscal calendar can be used by multiple subsidiaries
  • D. Periods are shared across fiscal calendars.
正解:C、D

質問 # 26
......
どのようにOracle N16599GC10試験に準備すると悩んでいますか。我々社のN16599GC10問題集を参考した後、ほっとしました。弊社のN16599GC10ソフト版問題集はかねてより多くのIT事業をしている人々は順調にOracle N16599GC10資格認定を取得させます。試験にパースする原因は我々問題集の全面的で最新版です。
N16599GC10関連資格試験対応: https://www.certjuken.com/N16599GC10-exam.html
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